Do you want to shape how Swedbank allocates its capital?
Swedbank has set itself the ambition of at least 15% return on equity by 2027, and how the bank allocates its capital is central to getting there. That question belongs to Capital Steering, a new and growing team within Group Treasury. We own Swedbank's capital allocation process and are building it from the ground up. Now we are looking for a senior specialist to build it with us.
In Swedbank you have the opportunity to:
Shape how the bank allocates capital across business areas, portfolios and deals, and build that process from the ground up.
Influence open strategic questions that will define how Swedbank steers capital for years: how capital is anchored across business areas, how hurdle rates are set, and how regulation reshapes what capital actually costs.
Set the analytical methods the team works by, from profitability measurement to the impact of capital regulation.
Help form a growing team, shape its operating model, and influence how it develops.
Be a trusted sounding board for the whole team, and help colleagues at every level grow.
Work closely with senior stakeholders across the bank: business area finance leaders, Group Treasury and the wider CFO community.
Build AI into how a capital team works day to day.
What is needed in this role:
Extensive experience from Treasury, Capital Management, Finance or Risk within a large financial institution.
Strong understanding of capital allocation, capital regulation and how capital, profitability and business strategy interact.
Proven ability to analyze complex financial and regulatory topics and translate them into actionable recommendations.
Hands-on experience using AI tools to enhance analysis, decision-making and productivity.
Strong communication and stakeholder management skills, with experience engaging senior leaders and finance stakeholders.
Experience building frameworks, processes and ways of working in evolving or newly e